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1walrus is a Polymarket wallet profile with $21.3K PnL, $1.4M total volume, a 58.9% win rate, and activity across 906 markets. This page summarizes the wallet's trading record, risk signal, market activity, and generated trader overview. Risk is shown as low and should be interpreted as an analytics signal, not financial advice.
Trader Overview
1walrus — the Polymarket trader making 351% ROI on a $3.5K deposit while most retail gets liquidated. Wallet: 0x6560abb717a8e5f3afaacd1a31e9c03eed71e164.
This is a low-risk Polymarket whale operating in the deep end. Rank 5698 globally, $21.4K PnL across 1,093 total trades in what looks like a tight timeframe. Win rate sits at 58.9% — nothing flashy, but consistent. Volume: $1.35M touched. Markets covered: 900 different prediction markets. The real move: turned $3.5K into $21.4K. That's not luck noise.
The strategy reads like disciplined volume farming. 1walrus trades 13.4 times daily, average size $101 per entry. Not a homerun hunter. Instead, the edge is grinding 900 different markets, hunting small inefficiencies across prediction categories nobody else bothers mapping. Buy-to-sell ratio of 2.59 suggests accumulation bias — he's patient on position entry, selective on exit. Best trade: $4.2K gain on an Elon Musk net worth proposition. Worst trade: -$1.4K on geopolitical (Iran escalation). Tight risk management — max loss is 34% of max win, which most degens never achieve.
The Polymarket wallet checker metrics show 83 open positions live right now against 1,010 closed. That's discipline. Not overextended. Total deposits hit $3.5K, withdrawals $1.6K — he's already taken profit, reinvesting gains. Portfolio value sits at $14K. What separates this Polymarket trader from the 99%: he's not chasing viral narratives. He's entered 900 different markets. That's infrastructure. That's seeing noise as signal. Most traders obsess over three major election plays per cycle. 1walrus diversifies the noise, compresses it, collects it daily.
Risk level tagged as low, and the numbers back it. Drawdowns are managed. Single positions aren't blowing up the portfolio. He's still holding 83 open bets, which means he's confident in his model but not reckless. The question: can this scale? $14K portfolio grinding at 351% ROI usually hits friction. Liquidity dries up. Spreads widen. Not everyone survives the slowdown.
Check this wallet on Predicts.guru to track live positions and see if the daily grind holds through volatility cycles.
whaleRisk: low